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    UNITED STATES DISTRICT COURT

    WESTERN DISTRICT OF TEXAS

    AUSTIN DIVISION

    DEFENSE DISTRIBUTED, et al.,

    Plaintiffs,

    v.

    U.S. DEPARTMENT OF STATE, et al.,Defendants.

    §

    §§

    §

    §

    §§

     No. 1:15cv372-RP

    INDIVIDUAL DEFENDANTS’ RENEWED MOTION TO DISMISS

    This motion addresses the attempt by Plaintiff Defense Distributed to seek damages from

    the personal assets of four current or former employees of the U.S. State Department: Kenneth

    Handelman, Edward Peartree, Sarah Heidema, and Glenn Smith. Defense Distributed alleges that

    the State Department unconstitutionally applied federal arms-export controls to prevent Defense

    Distributed from globally distributing electronic files designed to produce firearms. Based on

    these allegations, Defense Distributed has sued the four employees personally under a theory

    modeled on Bivens v. Six Unknown Named Agents of Federal Bureau of Narcotics, 403 U.S. 388

    (1971).

    This Court should dismiss these claims. First, the cause of action allowed in Bivens does

    not extend to this context, and even if it did, qualified immunity would protect the individual

    defendants, who violated no clearly established law. Second, the individual defendants are not

    amenable to personal jurisdiction in this forum. Third, to the extent Defense Distributed is

    attempting to assert the constitutional rights of potential recipients of its electronic files, it lacks

    standing to do so. Therefore, the individual defendants respectfully move under Federal Rule of

    Civil Procedure 12(b)(1), (2), and (6) to dismiss the claims against them.

    BACKGROUND

    Statutory & Regulatory Framework. The statutory basis for the arms-export controls at

    issue in this case is the Arms Export Control Act (AECA), 22 U.S.C. § 2778. In passing the

    AECA, Congress sought to “further[] . . . world peace and the security and foreign policy of the

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    Individual Defendants’ Renewed Motion To Dismiss 2

    United States” by empowering the President to “control . . . the export” of items he designates.

     Id. Â§ 2778(a)(1). The AECA authorizes the creation of implementing regulations, see id., which

    are called the ITAR (for International Traffic in Arms Regulations). Together, the AECA and the

    ITAR prohibit the unauthorized export of certain categories of items. See id. Â§ 2778(a)(1), (b)(2);

    United States v. Gonzalez, 792 F.3d 534, 537 (5th Cir. 2015); 22 C.F.R. §§ 120.1-.20. The State

    Department’s Directorate of Defense Trade Controls (DDTC) administers the ITAR. See Exec.

    Order No. 13,637(n)(i), 78 Fed. Reg. 16,129 (Mar. 8, 2013); 22 C.F.R. § 120.1(a).

    Firearms and their components are among the items designated for export controls under

    the ITAR. See Gonzalez, 792 F.3d at 537; 22 C.F.R. § 121.1, Category I(a), (h). The ITAR also

    governs exports of “[t]echnical data,” that is, information “required for the design, development,

     production, [or] manufacture” of items, such as firearms, covered by the ITAR. 22 C.F.R.

    §§ 120.10(a), 121.1, Category I(i). A person “exports” technical data related to firearms by

    “sending or taking [it] out of the United States in any manner” or “disclosing . . . or transferring

    [it] to a foreign person, whether in the United States or abroad.”  Id. Â§ 120.17(a)(1), (4). Doing so

    without authorization is prohibited. See 22 U.S.C. § 2778(b)(2), (g)(6).

    Plaintiffs’ Allegations. Plaintiffs’ allegations concern the application of these arms-

    export controls to the activities of Defense Distributed. Defense Distributed alleges that it is a

    corporation based in Austin, Texas, and “operated for the purpose of . . . facilitating global

    access to . . . information and knowledge related to the three-dimensional (‘3D’) printing of

    arms.” Am. Compl. ¶ 1 (ECF No. 47). It further alleges that arms-export controls have been

    applied to at least three sets of electronic files it wants to distribute on the Internet.

    Defense Distributed describes the first set of electronic files as “technical information”

    about “gun-related items.” Id. Â¶ 23. Defense Distributed began posting these files on the Internet

    in December 2012. Id. Â¶ 24. In May 2013, State Department employee Glenn Smith, allegedly

    acting “alone or in concert with other government actors,” including fellow employees Sarah

    Heidema “and/or” Edward Peartree, sent Defense Distributed a letter. Id. Â¶ 25. The letter notified

    Defense Distributed that it may have exported technical data covered by the ITAR without

    authorization and directed Defense Distributed to the “commodity jurisdiction” procedure. Id. 

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    Individual Defendants’ Renewed Motion To Dismiss 3

     Â¶Â¶ 25, 27. This procedure allows anyone unsure about whether a potential export is covered by

    the ITAR to request an advance determination from the State Department. See Gonzalez, 792

    F.3d at 538; 22 C.F.R. § 120.4. In response to the letter, Defense Distributed allegedly removed

    the files from its server and submitted them to the commodity jurisdiction procedure. Am.

    Compl. ¶¶ 26-27. DDTC had not issued a determination on whether the files were subject to the

    ITAR at the time Defense Distributed filed suit, id. Â¶ 29, but has done so since, see Notice Re:

    Commodity Jurisdiction Ruling (ECF No. 29).

    The second set of electronic files had to do with the “Ghost Gunner,” a machine “used to

    manufacture . . . gun parts.” Am. Compl. ¶¶ 30, 32-33. In January 2015, following

    correspondence with the Department of Defense (DoD), Defense Distributed requested a

    commodity jurisdiction determination on files containing technical information about the Ghost

    Gunner. Id. Â¶Â¶ 30-32. In April 2015, DDTC responded by letter that “software, data files, project

    files, coding, and models” for producing gun components would be subject to the ITAR, but that

    the Ghost Gunner machine itself would not be. Id. Â¶ 33.1 

    The third set of electronic files consisted of “computer-aided design (CAD) files,” the

    content of which the Amended Complaint does not specify. Id. Â¶ 34. In January 2015, Defense

    Distributed sent a letter to the State Department asking for guidance on how to publicly release

    these electronic files. Id. Â¶ 36. Defense Distributed alleges that it had previously requested

    guidance from DoD, but that DoD referred the issue to the State Department, allegedly based “in

    whole or in part” on instructions from Mr. Smith. Id. Â¶Â¶ 34, 35. Defense Distributed had not

    received guidance at the time the suit was filed. Id. Â¶ 36.

    Plaintiffs’ Claims. In April 2015, Defense Distributed and the Second Amendment

    Foundation filed a lawsuit asserting that the State Department’s application of arms-export

    controls exceeded what AECA authorizes and violated the First, Second, and Fifth Amendments.

    See Compl. ¶¶ 42-55, 57 (ECF No. 1). Both Plaintiffs sought a preliminary and permanent

    1 The letter referred to “software . . . for producing a defense article, to include 80% AR-15

    lower receivers.” Am. Compl. ¶ 33. An AR-15 is a type of gun. A receiver is the part of a gun

    that houses the firing mechanism. See generally 27 C.F.R. §§ 478.11, 479.11.

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    Individual Defendants’ Renewed Motion To Dismiss 4

    injunction, and Defense Distributed sought damages as well. See id. Â¶Â¶ 42, 47, 51, 55, 58-59;

    Pls.’ Mot. for Prelim. Inj. (ECF No. 8).

    Plaintiffs’ injunctive claims are not at issue in this motion. Those claims run against the

    government itself, not against individual federal employees. See Scott v. Flowers, 910 F.2d 201,

    213 n.25 (5th Cir. 1990). Thus, the defendants on the injunctive claims are the State Department,

    DDTC, and various federal officers in their official capacities, see Kentucky v. Graham, 473 U.S.

    159, 165-66 (1985) (explaining that official-capacity claims are claims against the government).2 

    The injunctive claims are bound up with Plaintiffs’ request for a preliminary injunction, which is

    currently before the Fifth Circuit on an interlocutory appeal.

    At issue in this motion is the claim for money damages by Defense Distributed. A

    damages action directly under the Constitution is called a “ Bivens action” after Bivens v. Six

    Unknown Named Agents of Federal Bureau of Narcotics, 403 U.S. 388 (1971), which allowed a

     plaintiff to sue federal law enforcement agents for damages based on alleged Fourth Amendment

    violations. See Minneci v. Pollard , 132 S. Ct. 617, 621 (2012). The original Complaint named as

    defendants Mr. Handelman, Mr. Peartree, Ms. Heidema, and Mr. Smith, each of whom was

    alleged to be “responsible” in some way for administration or enforcement of the ITAR. See 

    Compl. ¶¶ 6-9. The individual defendants moved to dismiss, but Plaintiffs chose to amend their

    Complaint rather than argue that it included any viable claims against the individuals.

    In its Amended Complaint, Defense Distributed accuses the same four individuals of

    taking “direct actions” against it (1) to impose arms-export restrictions that Plaintiffs characterize

    as “fictitious”; (2) to “slow, impede or altogether prevent” DoD from acting on requests from

    Defense Distributed; and (3) to “single[] out” or “selectively target[]” Defense Distributed for

    “regulatory burdens.” Am. Compl. ¶¶ 60-62, 64. The Amended Complaint leaves unclear what

    2 Kenneth Handelman has moved to a position with another federal agency. Therefore, his

    successor, Acting Deputy Assistant Secretary Anthony M. Dearth, has been automatically

    substituted as a defendant on all claims against Mr. Handelman in his official capacity. See Fed.

    R. Civ. P. 25(d); Kentucky v. Graham, 473 U.S. at 166 n.11. The caption of the AmendedComplaint, which continues to list Mr. Handelman as a defendant in his official capacity, is

    therefore in error.

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    Individual Defendants’ Renewed Motion To Dismiss 5

    the “direct actions” were, when they were supposedly taken, and which of the four individual

    defendants allegedly took them, except in two instances. First, the Amended Complaint alleges

    that Mr. Smith may have acted “alone” or perhaps “in concert with” others, including Ms.

    Heidema “and/or” Mr. Peartree, when he sent the initial letter warning Defense Distributed of

     potential arms-export violations. Id. Â¶ 25. Second, it alleges that Mr. Smith told DoD not to

    review certain files that Defense Distributed wanted DoD, rather than the State Department, to

    address. Id. Â¶ 35. Based on these allegations, Defense Distributed seeks damages from Mr.

    Handelman, Mr. Peartree, Ms. Heidema, and Mr. Smith, each of whom has been “sued

    individually.” Id. Â¶Â¶ 6-9, 63.

    ARGUMENT

    Defense Distributed wants to force Mr. Handelman, Mr. Peartree, Ms. Heidema, and Mr.

    Smith each to pay money from his or her personal assets. That sort of claim against individual

    government employees is rightly disfavored. To proceed, Defense Distributed must show that

    this Court should create such a claim in this context without statutory authorization; that each

    individual defendant has violated clearly established law such that he or she is not immune from

    suit; that each defendant is amenable to personal jurisdiction in this forum; and that Defense

    Distributed has standing to raise any claims it intends to assert on behalf of third parties. Defense

    Distributed has shown none of these things, and its damages claims should therefore be

    dismissed.

    I.  Defense Distributed has failed to state a claim against the individual defendants.

    Even assuming Defense Distributed’s factual allegations were all true, as courts do in

    addressing motions under Rule 12(b)(6), see  Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009), it still

    would not have stated any viable damages claim against the individual defendants for two

    independent reasons: (1) Defense Distributed lacks a cause of action, and (2) the individual

    defendants are immune. A court may dismiss on either ground without addressing the other. See

    id. at 675-76 (directing dismissal for failure to state a claim even assuming a Bivens action

    existed in a particular context).

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    Individual Defendants’ Renewed Motion To Dismiss 6

    A.  Defense Distributed lacks a cause of action to sue the individual defendantsfor damages.

    Defense Distributed incorrectly presumes the existence of a judicially created damages

    action like that allowed in Bivens, 403 U.S. 388. Such an action “is not an automatic

    entitlement.” Wilkie v. Robbins, 551 U.S. 537, 550 (2007). “[B]ecause Bivens suits implicate

    grave separation of powers concerns, ‘a decision to create a private right of action is one better

    left to legislative judgment in the great majority of cases.’” de la Paz v. Coy, 786 F.3d 367, 372-

    73 (5th Cir. 2015) (quoting Sosa v. Alvarez-Machain, 542 U.S. 692, 727 (2004)). Therefore,

    unlike the statutory action against state officials authorized by 42 U.S.C. § 1983, judicially

    created Bivens actions against federal officials apply only in “limited settings” and are

    “disfavored.” Iqbal, 556 U.S. at 675-76. The Supreme Court “has been reluctant to extend Bivens 

    liability to any new context or new category of defendants,” id., and “in most instances” has

    “found a Bivens remedy unjustified.” Wilkie, 551 U.S. at 550. In the last thirty-five years, the

    Court has not approved a new Bivens action, but has consistently reversed appellate decisions

    attempting to create new causes of action for damages. See de la Paz, 786 F.3d at 372; Vance v.

     Rumsfeld , 701 F.3d 193, 198 (7th Cir. 2012) (en banc).

    In keeping with this consistent reluctance to extend Bivens, this Court should reject

    Defense Distributed’s proposal to create a nonstatutory damages action against federal

    employees for the application of arms-export controls. First, extending Bivens to this context

    would be inappropriate given the alternative processes already available to challenge

    applications of arms-export regulations. “[F]ederal courts may not step in to create a  Bivens 

    cause of action if ‘any alternative, existing process for protecting the interest amounts to a

    convincing reason for the Judicial Branch to refrain from providing a new and freestanding

    remedy in damages.’” de la Paz, 786 F.3d at 375 (quoting Wilkie, 551 U.S. at 550). In the

    AECA, Congress directed the creation of an administrative regime governing arms exports. See,

    e.g., 22 U.S.C. § 2778(a)(1), (b)(1)(A)(i), (b)(2), (e), (f)(1), (i). Under this direction, the State

    Department has created administrative processes that allow persons potentially subject to the

    ITAR to determine whether items are subject to the State Department’s jurisdiction, see 22

    C.F.R. § 120.4, and to challenge administratively the Department’s assertion of jurisdiction, see

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    id. Â§ 120.4(g).3 The State Department’s creation of these administrative processes pursuant to

    Congress’s instructions undercuts any suggestion that a court should engraft onto the existing

    statutory and regulatory scheme a damages action against individual federal employees.

    To be sure, judicial review of the State Department’s decisions about arms-export

    controls is limited. But that is by congressional design. The AECA explicitly precludes judicial

    review of the Department’s decision to make an item subject to arms-export controls. See 22

    U.S.C. § 2778(h). And decisions implementing the AECA are exempt from judicial review under

    the Administrative Procedure Act because those decisions are highly discretionary exercises of

    the Executive Branch’s foreign affairs functions. See 5 U.S.C. § 701(a)(2); U.S. Ordnance, Inc.

    v. U.S. Dep’t of State, 432 F. Supp. 2d 94, 98-99 (D.D.C. 2006), vacated on other grounds, 231

    F. App’x 2 (D.C. Cir. 2007); 22 C.F.R. § 128.1. When, as in this situation, “Congress has

    intentionally withheld a remedy,” courts “must most refrain from providing one because it is in

    those situations that appropriate judicial deference is especially due to the considered judgment

    of Congress that certain remedies are not warranted.” Wilson v. Libby, 535 F.3d 697, 709 (D.C.

    Cir. 2008) (internal quotation marks omitted).

    Even if these alternative processes did not exist, the Supreme Court has “rejected the

    claim that a Bivens remedy should be implied simply for want of any other means for

    challenging a constitutional deprivation in federal court.” Corr. Servs. Corp. v. Malesko, 534

    U.S. 61, 69 (2001). A court must still “weigh[] reasons for and against the creation of a new

    cause of action” while “paying particular heed . . . to any special factors counselling hesitation 

     before authorizing a new kind of federal litigation.” Wilkie, 551 U.S. at 550, 554 (emphasis

    added). This threshold — that a factor counsels hesitation — is “‘remarkably low.’” de la Paz,

    786 F.3d at 379 (quoting Arar v. Ashcroft , 585 F.3d 559, 574 (2d Cir. 2009) (en banc)).

    “‘Hesitation’ is ‘counseled’ whenever thoughtful discretion would pause even to consider.’”

     Arar , 585 F.3d at 574.

    3 Separate regulations provide for reconsideration and review of the Department’s licensing

    decisions, see 22 C.F.R. § 126.8(c), (d); advisory opinions on licensing, see id. Â§ 126.9; and

    discovery and hearings before the imposition of civil penalties, see id. Â§Â§ 128.2-.16.

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    Multiple factors counsel hesitation before creating a Bivens action designed to challenge

    the application of arms-export controls. Most notably, “[t]he Supreme Court has expressly

    counseled that matters touching upon foreign policy and national security fall within an area of

    executive action in which courts have long been hesitant  to intrude absent congressional

    authorization.” Id. at 575 (internal quotation marks omitted); see also de la Paz, 786 F.3d at 379;

     Lebron v. Rumsfeld , 670 F.3d 540, 549 (4th Cir. 2012). The enforcement of arms-export controls

    necessarily implicates foreign policy and national security. See Order on Prelim. Inj. 6

    (recognizing “the interest — and authority — of the President and Congress in matters of foreign

     policy and export”); see also 22 U.S.C. § 2778(a)(1) (explaining that purpose of AECA is to

    “further[] . . . world peace and the security and foreign policy of the United States”); United

    States v. Mandel, 914 F.2d 1215, 1223 (9th Cir. 1990) (calling decisions about restricting exports

    as part of Commerce Department’s export-control regime “quintessentially matters of policy

    entrusted by the Constitution to the Congress and the President”); Samora v. United States, 406

    F.2d 1095, 1098 (5th Cir. 1969) (explaining that the AECA’s predecessor statute was “directed

    to the conduct of international affairs, in which the executive branch of our government

    traditionally has been dominant”). Hesitation is especially appropriate because the AECA and

    the ITAR reflect a joint exercise of foreign-policy and national-security authority by Congress

    and the Executive. See Lebron, 670 F.3d at 549.

    Moreover, to the extent Defense Distributed complains that the State Department’s

    application of arms-export regulations has been too slow or opaque, see, e.g., Am. Compl. ¶¶ 15,

    29, 36, crafting a cause of action to address that complaint would raise workability concerns that

    counsel further hesitation. Cf. Wilkie, 551 U.S. at 554-63 (rejecting proposed Bivens action that

    would have redressed the allegedly overzealous exercise of federal regulatory powers in light of

    the “serious difficulty” in devising a “workable cause of action”); Duxbury Trucking, Inc. v.

     Mass. Highway Dep’t , No. 04cv12118, 2009 WL 1258998, at *7 (D. Mass. Apr. 29, 2009)

    (declining under Wilkie to create Bivens claim against federal officials “alleged to have been

    delinquent and deliberately obfuscatory in carrying out their duties”). There is no evident

    standard to judge how long is too long or how deliberate is too deliberate — especially when, as

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    in this case, an agency is confronted with a novel application of an emerging technology that

    implicates national security and foreign policy. Courts must hesitate before creating a

    freestanding damages action without any clear statutory standard “that could guide an

    employee’s conduct and a judicial factfinder’s conclusion.” Wilkie, 551 U.S. at 561.

    The Amended Complaint’s conclusory accusations of improper motive, see Am. Compl.

     Â¶Â¶ 60-64, do not make a nonstatutory damages claim any more appropriate for this context.

    Allegations of illegitimate motive do not support the recognition of Bivens claims that would

    otherwise be inappropriate in a given context. See  M.E.S., Inc. v. Snell, 712 F.3d 666, 672 (2d

    Cir. 2013); W. Radio Servs. Co. v. U.S. Forest Serv., 578 F.3d 1116, 1118 (9th Cir. 2009)

    (rejecting proposed Bivens claim despite allegations that officials’ “delays and inactions violated

    the First Amendment . . . by treating [the plaintiff] unfavorably in retaliation for its prior

    litigation against the Forest Service”); XP Vehicles, Inc. v. Dep’t of Energy, No. 13cv37, 2015

    WL 4249167, at *19-21 (D.D.C. July 14, 2015) (rejecting proposed Bivens claim despite

    allegations that agency action was motivated by political favoritism). Allegations of illegitimate

    motive are especially irrelevant when, as in this case, they are wholly conclusory. See Left Fork

     Mining Co., Inc. v. Hooker , 775 F.3d 768, 778 (6th Cir. 2014) (rejecting Bivens action proposed

     by plaintiff who “ha[d] done little to show how the [federal government’s] actions stemmed from

    improper motive, aside from stating that they were”); see also infra pp. 15-16.

    All this is not to say that Congress could not create a damages action like that proposed

     by Defense Distributed. See Klay v. Panetta, 758 F.3d 369, 376-77 (D.C. Cir. 2014). “‘Congress

    is in a far better position than a court to evaluate the impact of a new species of litigation’ against

    those who act on the public’s behalf.” Wilkie, 551 U.S. at 562 (quoting Bush v. Lucas, 462 U.S.

    367, 389 (1983)). “And Congress can tailor any remedy to the problem perceived, thus lessening

    the risk of raising a tide of suits threatening legitimate initiative on the part of the Government’s

    employees.” Id. In the absence of action by Congress, however, no nonstatutory action should be

    created.

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    B.  Qualified immunity protects the individual defendants from suit.

    Even if a cause of action did exist, the individual defendants would be immune from suit.

    “The law generally disfavors expansive civil liability” for actions by government officials

    “because such liability ‘can entail substantial social costs, including the risk that fear of personal

    monetary liability and harassing litigation will unduly inhibit officials in the discharge of their

    duties.’” Wyatt v. Fletcher , 718 F.3d 496, 503 (5th Cir. 2013) (quoting Anderson v. Creighton,

    483 U.S. 635, 638 (1987)). The Supreme Court has therefore granted government officials a

    qualified immunity that protects them “from liability for civil damages insofar as their conduct

    does not violate clearly established statutory or constitutional rights of which a reasonable person

    would have known.” Harlow v. Fitzgerald , 457 U.S. 800, 818 (1982). The immunity applies

    even if an official makes “a mistake of law, a mistake of fact, or a mistake based on mixed

    questions of law and fact.” Pearson v. Callahan, 555 U.S. 223, 231 (2009) (internal quotation

    marks omitted). It thus “gives government officials breathing room to make reasonable but

    mistaken judgments, and protects all but the plainly incompetent or those who knowingly violate

    the law.” Carroll v. Carman, 135 S. Ct. 348, 350 (2014) (internal quotation marks omitted).

    Even at the motion-to-dismiss stage, the burden is on the plaintiff to show that qualified

    immunity does not apply. Jones v. Lowndes County, 678 F.3d 344, 351 (5th Cir. 2012). The

     plaintiff “must plead specific facts that both allow the court to draw the reasonable inference that

    the defendant is liable for the harm he has alleged and that defeat a qualified immunity defense

    with equal specificity.” Backe v. LeBlanc, 691 F.3d 645, 648 (5th Cir. 2012). To defeat qualified

    immunity, the facts alleged must show “(1) that the official violated a statutory or constitutional

    right” and “(2) that the right was ‘clearly established’ at the time of the challenged conduct.” 

     Ashcroft v. al-Kidd , 131 S. Ct. 2074, 2080 (2011) (quoting Harlow, 457 U.S. at 818). A court

    need not address these two issues in any particular order. See  Reichle v. Howards, 132 S. Ct.

    2088, 2093 (2012). Rather, “courts may grant qualified immunity on the ground that a purported

    right was not ‘clearly established’ by prior case law, without resolving the often more difficult

    question whether the purported right exists at all.” Id. And there are compelling reasons to

     proceed promptly to the issue of clearly established law, since the Supreme Court has

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    “repeatedly stressed the importance of resolving immunity questions at the earliest possible stage

    in litigation.” Wood v. Moss, 134 S. Ct. 2056, 2065 n.4 (2014) (internal quotation marks

    omitted).

    In this case, immunity can be resolved readily because Defense Distributed is unable to

    show that any alleged conduct by any individual defendant violated clearly established law. A

    right is clearly established when “at the time of the challenged conduct, ‘[t]he contours of [a]

    right [are] sufficiently clear’ that every ‘reasonable official would have understood that what he

    is doing violates that right.’” al-Kidd , 131 S. Ct. at 2083 (quoting Anderson, 483 U.S. at 640)

    (alterations in al-Kidd ). This is a “high bar.” Wyatt , 718 F.3d at 503. The plaintiff must identify

    either “controlling authority” or, possibly, a “robust consensus of cases of persuasive authority.”

    Plumhoff v. Rickard , 134 S. Ct. 2012, 2023 (2014) (internal quotation marks omitted).4 This

    authority must “define[] the contours of the right in question with a high degree of particularity.”

    Wyatt , 718 F.3d at 503 (internal quotation marks omitted). The Supreme Court has “‘repeatedly

    told courts . . . not to define clearly established law at a high level of generality,’ since doing so

    avoids the crucial question whether the official acted reasonably in the particular circumstances

    that he or she faced.” Plumhoff , 134 S. Ct. at 2023 (quoting al-Kidd , 131 S. Ct. at 2074).

    Although “a case directly on point” is not required to clearly establish a right, “existing

     precedent must have placed the statutory or constitutional question beyond debate.” Taylor , 135

    S. Ct. at 2044.

    1.  Defense Distributed has failed to show a violation of any clearlyestablished First Amendment right.

    Defense Distributed contends that the application of arms-export controls to the Internet

    distribution of its electronic files violates the First Amendment in two ways. First, Defense

    4

     Decisions from the Supreme Court’s most recent term have stopped short of accepting that a“robust consensus” could clearly establish a claimed right. See Taylor v. Barkes, 135 S. Ct. 2042,2044 (2015) (holding that weight of authority did not clearly establish a right even “to the extent

    that” a robust consensus could clearly establish a right); City & County of San Francisco v.

    Sheehan, 135 S. Ct. 1765, 1778 (2015) (same). This Court need not address that issue in thiscase, however, since neither controlling authority nor a robust consensus would clearly establish

    the rights asserted by Defense Distributed.

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    Distributed contends that its electronic files are “protected expression” that the application of

    arms-export controls suppresses. Am. Compl. ¶¶44-45. Second, Defense Distributed contends

    that the arms-export controls have been “selectively applied” to it and that its exercise of its right

    to free speech “was a substantial or motivating factor” in the State Department’s actions. Am.

    Compl. ¶¶ 46, 61, 64. Neither theory is supported by factual allegations that would establish the

    violation of any First Amendment right beyond debate.

    a.  Defense Distributed has failed to show that the application of arms-export regulations to its electronic files violated any clearlyestablished First Amendment right.

    As it explained in more detail in its preliminary injunction briefing, Defense Distributed

    argues that the electronic files discussed in its Amended Complaint are “protected expression”

    and that the arms-export controls at issue amount to an “unconstitutional prior restraint” and are

    “overbroad.” Id. Â¶ 44-45; Pl. Mot. for Prelim. Inj. 14-24 (ECF No. 8). Defense Distributed

     presumably would have cited in its briefing the sort of precedent necessary to overcome qualified

    immunity: “controlling authority” or a “robust consensus of persuasive authority” that would

    “specifically prohibit” application of the arms-export regulations as inconsistent with the First

    Amendment. Wyatt , 718 F.3d at 503. Yet Defense Distributed has not identified any controlling

    case or robust consensus condemning the application of arms-export controls to electronic files

    designed to produce firearms. And even resolved into its constituent parts, no aspect of Defense

    Distributed’s argument is established beyond debate.

    To begin with, precedent does not clearly establish that Defense Distributed’s electronic

    files constitute protected speech. This Court has been willing, “at least for the purpose of the

     preliminary injunction analysis,” to “consider the files as subject to the protection of the First

    Amendment.” Order for Prelim. Inj. 10 (ECF No. 43). But no extant, controlling case had

    already applied the First Amendment to electronic files, like Defense Distributed’s, that are

    designed to produce weapons. And existing cases have not reached a consensus on whether

    computer code is protected speech in all circumstances. See Allied Veterans of the World, Inc. v.

    Seminole County, 783 F. Supp. 2d 1197, 1203 (M.D. Fla. 2011) (“Although some courts have

    determined that computer code can constitute protected speech in certain circumstances, such

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    code is not always protected.”), aff’d , 568 F. App’x 922 (11th Cir. 2012). Whereas some cases

    have treated computer code as protected speech, others have treated it as mere conduct — a

    means of making a computer perform a function. Compare Commodity Futures Trading Comm’n

    v. Vartuli, 228 F.3d 94, 111-12 (2d Cir. 2000), and  Karn v. U.S. Dep’t of State, 925 F. Supp. 1,

    10 n.19 (D.D.C. 1996), with Universal City Studios, Inc. v. Corley, 273 F.3d 429, 447-49 (2d Cir.

    2001), and Junger v. Daley, 209 F.3d 481, 485 (6th Cir. 2000). Even those cases finding

    computer code to be protected have emphasized the difficult, context-dependent nature of the

    question. See Universal City, 273 F.3d at 445 (recommending cautious, case-by-case approach

    to “tailoring familiar constitutional rules to novel technological circumstances”); Junger , 209

    F.3d at 484 (“The issue of whether or not the First Amendment protects encryption source code

    is a difficult one because source code has both an expressive feature and a functional feature.”).

    Compounding the lack of clarity as to the First Amendment’s coverage are open

    questions about whether the First Amendment protects the sort of transmissions abroad that the

    AECA and the ITAR address. See, e.g., Laker Airways, Ltd. v. Pan Am. World Airways, Inc., 604

    F. Supp. 280, 287 (D.D.C. 1984) (finding “less clear . . . whether even American citizens are

     protected specifically by the First Amendment with respect to their activities abroad”). Plaintiffs

    themselves allow that whether they enjoy First Amendment rights to send their electronic files

    overseas “is not definitively clear.” Pls.’ Reply in Supp. of Prelim. Inj. 13 (ECF No. 37).

    Even if the electronic files at issue were characterized as protected speech, there would

    still be no clear First Amendment problem. Defense Distributed cites neither a controlling case

    nor a robust consensus of cases that has applied strict scrutiny to controls on the dissemination of

    similar electronic files. Rather, as this Court has recognized, see Order on Prelim. Inj. 11-13,

    courts have applied intermediate scrutiny to restrictions on the dissemination of computer code

    and other electronic files. E.g., United States v. Chi Mak , 683 F.3d 1126, 1135 (9th Cir. 2012);

     Junger , 209 F.3d at 485; Karn, 925 F. Supp. at 10-11; cf. Universal City, 273 F.3d at 451.5 As

    5 Also pointing to intermediate scrutiny is the apparently commercial nature of Defense

    Distributed’s dissemination of electronic files. See Defs.’ Opp’n to Pls.’ Mot. for Prelim. Inj. 16

    n.3 (ECF No. 32).

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    this Court has also recognized, see Order on Prelim. Inj. 13-16, courts have found that the

    application of arms-export controls in those instances satisfied intermediate scrutiny. E.g., Chi

     Mak , 683 F.3d at 1135; Karn, 925 F. Supp. at 11. Given this precedent, a reasonable official

    could readily conclude that application of arms-export controls to Defense Distributed’s files

    would survive First Amendment scrutiny as well.

    Moreover, neither controlling precedent nor any robust consensus clearly establishes that

    the arms-export controls at issue violate the First Amendment through prior restraint or

    overbreadth. “[T]he precise boundaries of the constitutional prohibitions on prior restraints are

    not well defined.” Catholic Leadership Coal. of Tex. v. Reisman, 764 F.3d 409, 437 (5th Cir.

    2014). Nevertheless, courts that have assessed the AECA and the ITAR have found no

    unconstitutional prior restraint. See Chi Mak , 683 F.3d at 1136. Likewise, extant cases have

    upheld the AECA and the ITAR against challenges for overbreadth. See id.; Karn, 925 F. Supp.

    at 13 (calling overbreadth concerns “not genuine”).

    Defense Distributed nevertheless insists that Justice Department memoranda issued

    decades ago clearly establish a First Amendment violation. See Am. Compl. ¶¶ 18-19, 57-58. To

    determine whether a purported right is clearly established, however, courts look to “prior case

    law.” Reichle, 132 S. Ct. at 2093 (emphasis added). When there is not a “case directly on

     point, . . . existing precedent  must have placed the statutory or constitutional question beyond

    debate.” Taylor , 135 S. Ct. at 2044 (emphasis added). Advisory memoranda, even if issued from

    an authoritative source, do not clearly establish the law for purposes of qualified immunity. See

    Gibbs v. Lomas, 755 F.3d 529, 541 (7th Cir. 2014); Price v. Akaka, 3 F.3d 1220, 1225 (9th Cir.

    1993). In any event, the memoranda apparently referred to in the Amended Complaint do not

    clearly establish that the application of arms-export restrictions to Defense Distributed’s Internet

    distribution of its electronic files is impermissible. Written in 1978, 1981, and 1984, they

    necessarily did not address — and did not purport to address — the application of arms-export

    controls to the dissemination of a technology that had not yet been developed (electronic files for

    the 3D printing of firearms components) through a technology that had not yet been developed

    (the modern global Internet). See Pls.’ Mot. for Prelim. Inj., Exs. 6-7, 9, ECF No. 8-2 at 9-39, 47-

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    61.6 Because neither these memoranda nor any case law clearly established that the State

    Department’s actions in this case violated the First Amendment, qualified immunity protects the

    individual defendants from suit.

    b. 

    Defense Distributed has failed to show that it was selectivelyregulated in violation of any clearly established FirstAmendment right.

    Defense Distributed also contends that it has been “selectively targeted” for regulation

    and that its “exercise of its right to free speech under the First Amendment was a substantial or

    motivating factor.” Am. Compl. ¶ 64. For multiple reasons, however, Defense Distributed has

    not stated a viable claim for selective regulation.

    First, Defense Distributed has failed to allege adequately that any clearly protected

    activity motivated the application of arms-export controls. A plaintiff alleging retaliatory

    enforcement must show that its activities were protected under the First Amendment. See Keenan

    v. Tejeda, 290 F.3d 252, 258 (5th Cir. 2002). If the plaintiff’s activities were not clearly

     protected, qualified immunity precludes a retaliation claim. See Lane v. Franks, 134 S. Ct. 2369,

    2381 (2014). The purported “speech” described in the Amended Complaint is the global

    dissemination of Defense Distributed’s electronic files. See Am. Compl. ¶¶ 22-26, 30, 34, 37. As

    discussed above, it is not beyond debate that the global dissemination of those electronic files

    constitutes protected speech. See supra pp. 12-13. Qualified immunity therefore applies.

    Second, Defense Distributed has failed to allege facts sufficient to support its conclusory

    assertions of improper motive. A claim for invidious discrimination in violation of the First

    Amendment requires that a plaintiff “plead and prove that the defendant acted with

    discriminatory purpose.” Iqbal, 556 U.S. at 676; see also Keenan, 290 F.3d at 258. Sufficiently

     pleading discriminatory purpose requires more than conclusory allegations. See Iqbal, 556 U.S.

    6 This Court may review these memoranda on this motion to dismiss under Rule 12(b)(6)

     because they are attached to the motion, referred to in the pleadings, and central to Plaintiffs’claims. See Brand Coupon Network, LLC v. Catalina Mktg. Corp., 748 F.3d 631, 635 (5th Cir.

    2014).

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    at 679-81.7 But the Amended Complaint provides nothing else. The Amended Complaint recites

    that Defense Distributed was “selectively targeted,” that its speech was a “substantial or

    motivating factor,” and that the individual defendants “singled [Defense Distributed] out” for

    “regulatory burdens” that prevented it from speaking on “matters” that “other similarly situated

     parties” could address. See Am. Compl. ¶¶ 61, 64. Like the allegations disregarded as conclusory

    in Iqbal, however, “[t]hese bare assertions, . . . amount to nothing more than a formulaic

    recitation of the elements of a constitutional discrimination claim.” 556 U.S. at 681. As such,

    they are insufficient to support a viable claim for selective regulation.

    Third, Defense Distributed’s claim fails because the regulatory actions taken here had an

    objectively reasonable basis. A plaintiff attacking an enforcement action as retaliatory typically

    must show that the challenged action lacked an objectively reasonable basis. For example, a

     plaintiff cannot proceed with an action for retaliatory prosecution without pleading and proving

    lack of probable cause (that is, an objectively reasonable basis) to prosecute. See Hartman v.

     Moore, 547 U.S. 250, 265-66 (2006). And a plaintiff cannot proceed with an action for

    retaliatory arrest if “probable cause existed . . . or if reasonable police officers could believe

     probable cause existed” Keenan, 290 F.3d at 262. Similarly, when government officials enforce

    civil regulations, that enforcement should be shielded from liability if it is supported by an

    objectively reasonable basis. At a minimum, there is no clearly established right to be free from a

     purportedly retaliatory regulatory action that is otherwise objectively supported. Cf. Reichle, 132

    S. Ct. at 2093-94 (concluding that qualified immunity barred claim for allegedly retaliatory arrest

     because the “right to be free from a retaliatory arrest that is otherwise supported by probable

    cause” is not clearly established). Despite Defense Distributed’s insistence to the contrary, see,

    7

     In Iqbal, the plaintiffs asserted that they had been singled out for bad treatment on the basis oftheir religion. See 556 U.S. at 680. They asserted that the federal officers they sued personally“‘knew of, condoned, and willfully and maliciously agreed to subject [a plaintiff]’ to harsh

    conditions of confinement ‘as a matter of policy, solely on account of [his] religion, race, and/or

    national origin and for no legitimate penological interest.’” Id. (quoting operative complaint).These “bare assertions,” the Supreme Court explained, were “conclusory and not entitled to be

    assumed true.” Id. at 681.

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    e.g., Am. Compl. ¶ 59, a reasonable government employee could believe there was an

    objectively reasonable basis for applying arms-export controls to the electronic files at issue. A

    reasonable government employee could conclude that Defense Distributed’s electronic files are

    “technical data” covered by the ITAR, since they are information “required for the design,

    development, production, [or] manufacture” of firearms components. See 22 C.F.R.

    §§ 120.10(a), 121.1, Category I(i). A reasonable government employee also could conclude that

    the global dissemination of these files through the Internet at least arguably amounted to an

    “export,” that is, “sending or taking [the technical data] out of the United States in any manner”

    or “disclosing . . . or transferring [it] to a foreign person.” Id. Â§ 120.17(a)(1). Although Plaintiffs

    contest the validity of these regulations, they have pointed to no cases establishing that a

    reasonable government employee would lack any arguable, objective basis for applying them to

    the global dissemination of electronic files through the Internet. And since Defense Distributed

    cannot show that an arguable, objective basis was lacking, it cannot state a First Amendment

    retaliation or discrimination claim that overcomes qualified immunity.

    Fourth, Defense Distributed has failed to allege facts to show that Sarah Heidema or

    Kenneth Handelman was a “final decision-maker” on any decision related to Defense

    Distributed. The law remains “unsettled” on “whether someone who is not a final decision-maker

    and makes a recommendation that leads to the plaintiff being harmed can be liable for

    retaliation.” Culbertson v. Lykos, 790 F.3d 608, 627 (5th Cir. 2015). Therefore, qualified

    immunity protects a person who is not a final-decision maker from a retaliation claim. See id. 

    Even if the Amended Complaint included non-conclusory allegations to suggest that Ms.

    Heidema or Mr. Handelman took any action against Defense Distributed at all — and it does not,

    see infra pp. 20-21 — it falls far short of alleging that either was a final decision-maker. Thus, at

    a minimum, this aspect of Defense Distributed’s claim against Ms. Heidema and Mr. Handelman

    should be dismissed.

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    2.  Defense Distributed has failed to show a violation of any clearlyestablished Second Amendment right.

    Defense Distributed also claims its Second Amendment rights were violated. Am. Compl.

     Â¶ 62. Although Defense Distributed asserts that it has rights “to acquire arms” and “to make

    arms,” id. Â¶Â¶ 49-50, it does not allege any interference with its own acquisition or production of

    arms, see Order on Prelim. Inj. 17-18. And Defense Distributed may not assert, in the guise of a

    constitutional damages action, “the rights of its visitors, customers and patrons” to acquire or to

    make arms, Am. Compl. ¶ 63. See infra p. 25. Rather, Defense Distributed appears to be

    asserting a right under the Second Amendment for a corporation to disseminate on the Internet

    materials that third parties may use to produce arms. See Am. Compl. ¶ 51. No such right is

    clearly established under the Second Amendment.

    In District of Columbia v. Heller , 554 U.S. 570 (2008), the Supreme Court “identified the

    Second Amendment’s central right as the right to defend oneself in one’s home, and concluded

    that an absolute ban on home handgun possession — a gun-control law of historic severity —

    infringed the Second Amendment’s core.” Nat’l Rifle Ass’n of Am., Inc. v. Bureau of Alcohol,

    Tobacco, Firearms & Explosives, 700 F.3d 185, 194 (5th Cir. 2012). In Heller , however, “the

    Court took care to note that it was not purporting to ‘clarify the entire field’ of the Second

    Amendment.” United States v. Portillo-Muñoz, 643 F.3d 437, 440 (5th Cir. 2011) (quoting

     Heller , 554 U.S. at 635). Beyond Heller â€™s core holding, there is little consensus on the Second

    Amendment’s application to particular restrictions. See, e.g., Powell v. Tompkins, 783 F.3d 332,

    348 (1st Cir. 2015) (rejecting notion “that a ‘consensus’ has developed among the circuits

    regarding some limited right under the Second Amendment to keep and bear operable firearms

    outside the home for the purpose of self-defense”); Burgess v. Town of Wallingford , 569 F.

    App’x 21, 23 (2d Cir. 2014) (“Even at present, we are unsure of the scope of that right.”);

    Sutterfield v. City of Milwaukee, 751 F.3d 542, 571 (7th Cir.) (“Whether and to what extent the

    Second Amendment protects an individual’s right to possess a particular gun . . . is an issue that

    is just beginning to receive judicial attention.”), cert. denied , 135 S. Ct. 478 (2014); United

    States v. Masciandaro, 638 F.3d 458, 475 (4th Cir. 2011) (Wilkinson, J., for panel majority)

    (recognizing “the dilemma faced by lower courts in the post- Heller  world: how far to push

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     Heller  beyond its undisputed core holding”); United States v. Marzzarella, 614 F.3d 85, 101 (3d

    Cir. 2010) (“Second Amendment doctrine remains in its nascency, and lower courts must

     proceed deliberately when addressing regulations unmentioned by Heller .”).

    Defense Distributed has cited neither a controlling case nor a robust consensus

    establishing that the Second Amendment protects distribution of arms — much less global

    distribution â€” by a business. The Amended Complaint refers to Mance v. Holder , 74 F. Supp.

    3d 795 (N.D. Tex. 2015), appeal docketed sub nom. Mance v. Lynch, No. 15-10311 (5th Cir.

    Apr. 14, 2015). See Am. Compl. ¶ 49. But Mance is not controlling, and it was not decided in

    time to clearly establish the law for this case. See al-Kidd , 131 S. Ct. at 2083 (explaining that

    “existing precedent must have placed the statutory or constitutional question beyond debate”)

    (emphasis added). Moreover, Mance does not represent a consensus view. Numerous decisions

    reject the idea that the Second Amendment protects a right to manufacture or to distribute arms,

    either for money or otherwise. See, e.g., United States v. Chafin, 423 F. App’x 342, 344 (4th Cir.

    2011) (per curiam) (sales); Colo. Outfitters Ass’n v. Hickenlooper , 24 F. Supp. 3d 1050, 1064

    n.13, 1074 (D. Colo. 2014) (lending); Teixeira v. County of Alameda, No. 12cv3288, 2013 WL

    4804756, at *6, 8 (N.D. Cal. Sept. 9, 2013) (sales), appeal docketed , No. 13-17132 (9th Cir. Oct.

    23, 2013); United States v. Conrad , 923 F. Supp. 2d 843, 852 (W.D. Va. 2013) (giving or

    selling); Mont. Shooting Sports Ass’n v. Holder , No. 09cv147, 2010 WL 3926029, at *21 (D.

    Mont. Aug. 31, 2010) (manufacture and sale), adopted , 2010 WL 3909431 (D. Mont. Sept. 29,

    2010), and aff’d on other grounds, 727 F.3d 975, 982 (9th Cir. 2013). Nor is there any consensus

    that the Second Amendment extends to businesses such as Defense Distributed. See Colo.

    Outfitters, 24 F. Supp. 3d at 1062 n.12; see also Order 17 n.14 (noting that no party has yet

    addressed whether a corporation has Second Amendment rights). Because Defense Distributed

    cannot point to “controlling authority” or a “robust consensus of persuasive authority” that

    would clearly establish a Second Amendment right for a business to disseminate electronic files

    designed to produce firearms, qualified immunity protects the individual defendants from suit.

    Wyatt , 718 F.3d at 503.

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    3.  Defense Distributed has failed to show a violation of any clearlyestablished Fifth Amendment right.

    Finally, Defense Distributed asserts a violation of its Fifth Amendment due process

    rights. See Compl. ¶¶ 53-55, 57. Defense Distributed invokes the “[v]agueness doctrine,” under

    which “‘an enactment is void . . . if its prohibitions are not clearly defined.’” Pls.’ Mot. for

    Prelim. Inj. 24 (quoting Grayned v. City of Rockford , 408 U.S. 104, 108 (1972)). But Plaintiffs

    have not “made precisely clear which portion of the ITAR language they believe is

    unconstitutionally vague,” Order on Prelim. Inj. 23, even though they had an opportunity to do

    so when they amended their Complaint. Nor has Defense Distributed ever identified any

    controlling authority or robust consensus clearly establishing that the AECA, the ITAR, or any

    terms used in either are unconstitutionally vague. In the absence of any such precedent, which is

    necessary to overcome qualified immunity, see Wyatt , 718 F.3d at 503, the individual defendants

    are immune from Defense Distributed’s claim under the Fifth Amendment.8 

    4.  Defense Distributed has failed to allege facts that would show anyconstitutional violation by Kenneth Handelman or Sarah Heidemapersonally.

    Even if Defense Distributed could show that some federal official violated its clearly

    established constitutional rights, it still would have failed to assert any viable Bivens claim

    against Kenneth Handelman or Sarah Heidema. When individual-capacity claims are at stake,

    “each Government official, his or her title notwithstanding, is only liable for his or her own

    misconduct.” Iqbal, 556 U.S. at 677. To pursue a Bivens claim, therefore, “a plaintiff must plead

    that each Government-official defendant, through the official’s own individual actions, has

    violated the Constitution.” Id. at 676 (emphasis added).

    Conclusory allegations of individual action are insufficient to state a constitutional

    damages claim. See Iqbal, 556 U.S. at 678, 681. For example, in Iqbal, the plaintiffs alleged that

    one of the individual defendants was the “principal architect” of an invidious policy, that another

    8 Defense Distributed also mentions the “rights . . . of its visitors, customers and patrons under

    the . . . Fifth Amendment[],” Am. Compl. ¶ 63, but none of its filings explain what sort of FifthAmendment right a third party might have against application of a regulation or how Defense

    Distributed could have standing to assert any such right, see infra p. 25.

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    individual defendant was “instrumental” in adopting and executing it, and that both defendants

    “knew of” and “condoned” application of the policy to the plaintiff. Id. at 680-81. These

    allegations were disregarded as “conclusory and not entitled to be assumed true.” Id. at 681.

    Defense Distributed’s allegations against Mr. Handelman and Ms. Heidema are no more

    substantial than the allegations disregarded as conclusory in Iqbal. The Amended Complaint

    alleges that Mr. Handelman was a Deputy Assistant Secretary in the Department of State and that

    he was “responsible for the operation and management of DDTC,” including “administration and

    enforcement of the ITAR.” Am. Compl. ¶ 6. But simply stating an official’s position is not

    enough to establish personal liability. See Iqbal, 556 U.S. at 677. The Amended Complaint goes

    on to allege that Mr. Handelman took “direct action,” and that other individual defendants took

    “direct actions,” either “alone or in concert” with him. Am. Compl. ¶¶ 61-63. But the Amended

    Complaint never explains what “direct action” Mr. Handelman supposedly took or which “direct

    actions” others supposedly took in concert with him. Against Mr. Handelman, the Amended

    Complaint offers only the sort of “unadorned, the-defendant-unlawfully-harmed-me accusation”

    that is insufficient to state a claim. Iqbal, 556 U.S. at 678.

    The Amended Complaint’s allegations against Ms. Heidema are similarly insubstantial.

    Aside from allegations about her position, see Am. Compl. ¶ 8, and unspecified “direct actions,”

    id. Â¶Â¶ 61-63, the Amended Complaint includes only one additional sort of allegation against Ms.

    Heidema: that Mr. Smith, in sending a letter to Defense Distributed, “act[ed] alone or in concert

    with” her “and/or” Mr. Peartree. Id. Â¶ 25. This equivocal allegation that Ms. Heidema may have

    acted “in concert” with others is just the sort of conclusory allegation of conspiracy that courts

    routinely disregard. See, e.g., McAfee v. 5th Cir. Judges, 884 F.2d 221, 222 (5th Cir. 1989) (per

    curiam). Thus, the allegations against Ms. Heidema, like the allegations against Mr. Handelman,

    are insufficient to state a claim.9

     

    9 Defense Distributed’s allegations against Edward Peartree, which parallel the allegations

    against Ms. Heidema, are also insufficient. Defense Distributed did not even bother to amend its

    Complaint to assert that Mr. Peartree sent any letters concerning its electronic files, even though

    at least one such letter already appears in the record. Defense Distributed’s allegations againstGlenn Smith now include the assertion that he sent the initial letter warning of a potential

    (continued)

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    II.  Defense Distributed’s claims against the individual defendants should be dismissedunder Rule 12(b)(2) for lack of personal jurisdiction.

    Defense Distributed is attempting to force the individual defendants to defend their

     personal assets in Texas even though none of them is alleged to be a Texas resident. Defense

    Distributed cannot pursue these claims in this Court unless personal jurisdiction over these

    nonresidents is proper here. See Walden v. Fiore, 134 S. Ct. 1115, 1121 (2014). As the plaintiff,

    Defense Distributed bears the burden of making a prima facie case for personal jurisdiction. See

     Monkton Ins. Servs. v. Ritter , 768 F.3d 429, 431 (5th Cir. 2014). In assessing whether a plaintiff

    has carried this burden, a court is not limited to the allegations of the complaint, but may

    consider the contents of the record at the time of the motion. See Paz v. Brush Engineered

     Materials, Inc., 445 F.3d 809, 812 (5th Cir. 2006). A court will “accept the plaintiff’s

    uncontroverted, nonconclusional factual allegations as true and resolve all controverted

    allegations in the plaintiff’s favor.” Panda Brandywine Corp. v. Potomac Elec. Power Co., 253

    F.3d 865, 868 (5th Cir. 2001) (per curiam). But “the prima-facie-case requirement does not

    require the court to credit conclusory allegations, even if uncontroverted.” Id. at 869.

    Defense Distributed has not established a prima facie case for personal jurisdiction. To

    satisfy due process,10

     a plaintiff must show that a nonresident defendant established “minimum

    contacts” with the forum state. Monkton, 768 F.3d at 431 (internal quotation marks omitted).

    When, as in this case, a plaintiff is attempting to establish specific personal jurisdiction — that

    is, personal jurisdiction premised on a defendant’s contacts with the forum state, see  Daimler AG

    v. Bauman, 134 S. Ct. 746, 754 (2014) — “the defendant’s suit-related conduct must create a

    regulatory violation. Compare Am. Compl. ¶¶ 25-27; with Compl. ¶¶ 25-27. But the Amended

    Complaint’s other allegations against Mr. Smith, such as the allegations that he took “directaction,” Am. Compl. ¶¶ 60-62, and the allegation that DoD refused to review some of Defense

    Distributed’s electronic files “with specific direction from [him],” id. Â¶ 35, are wholly

    conclusory. See Chavez v. United States, 683 F.3d 1102, 1110 (9th Cir. 2012) (disregarding asconclusory an allegation that individual defendants “personally reviewed and thus, knowinglyordered, directed, sanctioned or permitted” allegedly unconstitutional conduct).

    10 Due process is relevant because Federal Rule of Civil Procedure 4(k)(1)(A) adopts the

    territorial limits applicable to courts of the state in which a federal district court sits. See Walden,

    134 S. Ct. at 1121. The jurisdiction of Texas courts extends to the outer bounds of due process,so only those limits are at issue. See Clemens v. McNamee, 615 F.3d 374, 378 (5th Cir. 2010).

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    substantial connection with the forum State,” Walden, 134 S. Ct. at 1121.11

     That connection

    “must arise out of contacts that the ‘defendant himself â€™ creates with the forum State,” and the

    contacts must be “with the forum State itself,” not just “with persons who reside there.” Walden,

    134 S. Ct. at 1122 (quoting Burger King Corp. v. Rudzewicz, 471 U.S. 462, 475 (1985)). A court

    therefore looks to whether a defendant “purposefully directed” his activities toward the forum

    state or “purposefully availed [him]self of the privileges of conducting activities there.”

     Monkton, 768 F.3d at 433.

    Defense Distributed has not shown that any of the individual defendants has created a

    connection with Texas substantial enough to support specific personal jurisdiction here. Defense

    Distributed cannot build a prima facie case on the sort of conclusory allegations that pervade the

    Amended Complaint. See Panda Brandywine, 253 F.3d at 869; see also supra pp. 15-16, 21. In

     particular, Defense Distributed’s allegation that the individual defendants took mostly

    unspecified “direct actions . . . with the specific intent of . . . disrupting [Defense Distributed’s]

    operations in Texas,” Am. Compl. ¶ 60, is entirely conclusory. Cf. Iqbal, 556 U.S. at 680.

    Even if these allegations were not entirely conclusory, they still would not support a

     prima facie case. The Amended Complaint alleges in various ways that the individual defendants

    hold certain positions in the government in which they oversee or enforce arms-export controls.

    See, e.g., Am. Compl. ¶¶ 6-9. But an allegation that a government employee oversees

    enforcement of federal policies nationwide does not support personal jurisdiction in every forum

    where those policies are enforced. See  Hill v. Pugh, 75 F. App’x 715, 719 (10th Cir. 2003);

     Munns v. Clinton, 822 F. Supp. 2d 1048, 1078 (E.D. Cal. 2011); Oksner v. Blakey, No. 07-2273,

    2007 WL 3238659, at *9 (N.D. Cal. Oct. 31, 2007), aff’d , 347 F. App’x 290, 292-93 (9th Cir.

    2009); Mahmud v. Oberman, 508 F. Supp. 2d 1294, 1302 (N.D. Ga. 2007), aff’d sub nom.

    11 Defense Distributed has not even attempted to allege facts that would show general personal

     jurisdiction, in which a court “assert[s] jurisdiction over a defendant based on a forum

    connection unrelated to the underlying suit.” Walden, 134 S. Ct. at 1122 n.6. The standard for

    general jurisdiction is “a difficult one to meet” and requires “extensive contacts between adefendant and a forum.” Johnston v. Multidata Sys. Int’l Corp., 523 F.3d 602, 609-10 (5th Cir.

    2008) (internal quotation marks omitted). No such extensive contacts are alleged.

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     Mahmud v. U.S. Dep’t of Homeland Sec., 262 F. App’x 935, 936 (11th Cir. 2008); Vu v. Meese,

    755 F. Supp. 1375, 1378 (E.D. La. 1991).

    The Amended Complaint also alleges in various ways that some of the individual

    defendants asserted the State Department’s regulatory jurisdiction over Defense Distributed. See,

    e.g., Am. Compl. ¶¶ 25-27, 35, 60-62. Under the Fifth Circuit’s Stroman Realty cases, however,

    the assertion of regulatory authority over a Texas resident by an out-of-state sovereign does not

    give rise to personal jurisdiction in Texas. In Stroman Realty, Inc. v. Wercinski, 513 F.3d 476,

    479-81 (5th Cir. 2008), and Stroman Realty, Inc. v. Antt , 528 F.3d 382, 383-84 (5th Cir. 2008), a

     business based in Texas tried to sue government regulators in other states after those regulators

    ordered the business to cease Internet postings and other communications about real estate

    listings in those states without licenses. The Fifth Circuit held that personal jurisdiction in Texas

    was lacking. See Antt , 528 F.3d at 385-87; Wercinski, 513 F.3d at 483. The out-of-state

    regulators did not “purposefully avail” themselves of the benefits of Texas law in attempting to

    enforce other laws. See Antt , 528 F.3d at 386; Wercinski, 513 F.3d at 484-85. And the out-of-

    state regulators did not “purposefully direct” conduct at Texas, even though their conduct had

    effects in Texas, since the aim of their conduct was regulation of activities outside Texas. See

    Wercinski, 513 F.3d at 485-87.

    Similarly, the assertion of regulatory authority by a federal employee in this case cannot

    support personal jurisdiction over that employee individually. Just like the state regulators in the

    Stroman Realty cases, the individual defendants in this case allegedly required compliance with

    licensing rules as a precondition to directing communications outside Texas. In enforcing federal

    arms-export laws, the individual defendants have not availed themselves of the benefits of any

    Texas law. And although the assertion of federal regulatory authority may have an effect in

    Texas, no federal employee has purposefully directed any activity here, for the focus of the

    regulatory enforcement was not Texas, but the transnational export of technical data. Thus, as in

    the Stroman Realty cases, the assertion of regulatory authority in this case does not support

     personal jurisdiction in Texas. See also Mahmud , 508 F. Supp. 2d at 1301-02 & n.7 (finding no

     personal jurisdiction in Georgia over a federal official who made a licensing decision elsewhere,

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    even though the official mailed a notice of the decision to the plaintiff in Georgia). Because

     personal jurisdiction is lacking, the claims against the individual defendants should be

    dismissed.12

     

    III. 

    Any damages claims by Defense Distributed for purported infringements on itspatrons’ alleged rights should be dismissed under Rule 12(b)(1) for lack of standing.

    In addition to asserting its own “individual rights,” Defense Distributed also premises its

    claims for damages on “violations” of the “individual rights . . . of its visitors, customers and

     patrons under the First, Second and Fifth Amendments.” Am. Compl. ¶ 62. But Defense

    Distributed lacks standing to maintain a damages claim for the violation of a third party’s rights.

    See Conn v. Gabbert , 526 U.S. 286, 292-93 (1999); Barker v. Halliburton Co., 645 F.3d 297,

    300 (5th Cir. 2011). Therefore, this portion of Defense Distributed’s damages claim should be

    dismissed for lack of subject-matter jurisdiction. See Sample v. Morrison, 406 F.3d 310, 312 (5th

    Cir. 2005).

    CONCLUSION

    Defense Distributed has now had two opportunities to articulate viable individual-

    capacity claims against Kenneth Handelman, Edward Peartree, Sarah Heidema, and Glenn

    Smith. Both times, it has failed. This Court should now dismiss the individual-capacity damages

    claims under Rule 12(b)(1), (2), and (6), and because of Defense Distributed’s repeated failure,

    should do so with prejudice.

    12 Defense Distributed has now failed in both versions of its Complaint to identify a proper basis

    for venue in this forum over the individual-capacity damages claims. See generally McCaskey v.

    Cont’l Airlines, Inc., 133 F. Supp. 2d 514, 523 (S.D. Tex. 2001) (noting “well established” rulethat “in a case involving multiple defendants and multiple claims, the plaintiff bears the burdenof showing that venue is appropriate as to each claim and as to each defendant”). The Amended

    Complaint, like the original Complaint, asserts that venue is proper under 28 U.S.C.

    § 1391(e)(1)(B) and (C). See Am. Compl. ¶ 11; Compl. ¶ 11. As the individual defendants pointed out in their original motion to dismiss, Section 1391(e) does not apply to claims against

    federal employees as individuals. See Stafford v. Briggs, 444 U.S. 527, 543-45 (1980).

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    Respectfully submitted,

    RICHARD L. DURBIN, JR.United States Attorney

    By:  /s/ Zachary C. Richter

    ZACHARY C. RICHTER

    Assistant United States Attorney

    Texas Bar No. 24041773816 Congress Avenue, Suite 1000

    Austin, Texas 78701

    (512) 916-5858 (phone)(512) 916-5854 (fax)

    [email protected]

     Attorneys for Individual DefendantsKenneth Handelman, C. Edward Peartree,

    Sarah J. Heidema & Glenn Smith

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    CERTIFICATE OF SERVICE

    I certify that on September 14, 2015, I electronically filed this document with the Clerkof Court using the CM/ECF system, which will send notification to

    Alan Gura, [email protected] B. Mateja, [email protected]

    William T. “Tommy” Jacks, [email protected]

    David S. Morris, [email protected]

    Matthew Goldstein, [email protected] Blackman, [email protected] Attorneys for Plaintiffs

    Eric J. Soskin, [email protected]

    Stuart J. Robinson, [email protected] Attorneys for U.S. State Department, Directorate of Defense Trade

    Controls & Official-Capacity Defendants

     /s/ Zachary C. Richter

    ZACHARY RICHTER

    Assistant United States Attorney

    Case 1:15-cv-00372-RP Document 61 Filed 09/14/15 Page 27 of 27